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2020-12-31-accounts

Independent Examiner’s Report to the Trustees of Rendlesham Community Centre Charity – year ended 31 December 2020

Registered Charity No: 1125733

Income in Year:

£25,874.25

Expenditure in Year: £19,666.17

Capital & Reserves as at 31 December 2020: £24,358.15

1. Respective responsibilities of Trustees and Independent Examiner

The Charity’s Trustees are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011. The Trustees require an independent examination.

As the Independent Examiner it is my responsibility to:

2. Report for the year ended 31 December 2020

The Governing Document (Trust Deed) is dated 9 April 2008. The Area of Benefit is the Parish of Rendlesham in the County of Suffolk.

The aims and activities of the Charity are to ‘run Rendlesham Community Centre like a village hall for the use of the inhabitants of the Parish of Rendlesham in Suffolk without distinction of sex, sexual orientation, age, disability, nationality, race or political, religious or other opinions, including the use of the property for recreation and leisure time occupations in the interests of social welfare for the said inhabitants’. Further details regarding ‘what the Charity does, who the Charity helps and how the Charity works’ have been registered with the Charity Commission.

Transactions for both income and expenditure in the year of account were examined on a sample basis. An accounting system is in place with detailed breakdown of income and expenditure recorded within the system. Satisfactory documentation and records are maintained and payments are supported by appropriate paperwork. All documentation was very well presented for the Independent Examination.

The following observations are made:

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TREVOR BROWN CPFA Internal Audit Services Charnwood, California, Woodbridge, Suffolk IP12 4DE Tel: 01394 384698 or 07587 523764 Email: tcdbrown01@yahoo.co.uk

The normal standard cover for Public Liability for village halls, play equipment etc. is currently £10 million. The Trustees are advised to review the level of cover with the Insurers with a view of increasing cover up to that standard amount.

As stated in the Independent Examiner’s Report for the year ending 31 December 2019, Fidelity Guarantee cover is normally based on the maximum amount of bank/cash sums held by the organisation at any one time. The Charity held £21,267.52 in Bank/Cash/Debtors at the year-end 31 December 2020, significantly more than the level of insurance cover currently in place. The Trustees are advised to review the level of Fidelity Guarantee cover with the Insurers with the view of increasing the cover to ensure that it is in line with the amount of cash/bank sums held by the Charity.

TREVOR BROWN CPFA Internal Audit Services

Charnwood, California, Woodbridge, Suffolk IP12 4DE Tel: 01394 384698 or 07587 523764 Email: tcdbrown01@yahoo.co.uk

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3. Basis of Independent Examiner’s report

My examination was carried out in accordance with the applicable Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the Charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

4. Independent Examiner’s statement

I have completed my examination.

Trevor Brown Chartered Institute of Public Finance and Accountancy

16 March 2021

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TREVOR BROWN CPFA Internal Audit Services

Charnwood, California, Woodbridge, Suffolk IP12 4DE Tel: 01394 384698 or 07587 523764 Email: tcdbrown01@yahoo.co.uk

Date: 0210212021 rime: 09'.28:31 RENDLESHAM COMMUNITY CENTRE Profit and Loss From: To: Month I, Janltary 2020 Month 12, DeL￿ber 2020 Chart of A(rx>unts: Def￿1t Layout of Accounts [PARTLAL] Year to Date Sales Product Sales Other Sales 15,874.25 10,000.00 15,874.25 10,000.00 25,874.25 25,874.25 Dlrert Expenses Gross p￿￿/[LO￿). 25,874.25 25,874.25 Gross Wages Rent and Rates HeaL tight and Power Printlng and Sta￿nery Telephone and Computer charges Prof<%sional Fees Malrtenan Bank Charges and Interest 1,208.00 1,691.38 6,805.57 64.41 1.231.n 740.00 7,928.81 (3.72) 1,208.00 1,691.38 6,805.57 64.41 1.231,n 740.00 7,928.81 (3.72) 19,666.17 19.666.17 Net Profitl(Loss): 6,208.08 6,208.08

RCCC TREASURERS REPORT FOR 2021 AGM.

As you are all aware COVID had a huge impact on the usage and revenue for the Centre in 2020.

Income was £25,874.25 which included the Government Grant of £10,000 given to all Community Centres/village halls. This was still £4,763.40 lower than in 2019. Most of the £15,874.25 came from the Social Club who continued to pay during the lockdowns as did The Parish Council for The Parish Office.

Expenditure was also down at £19,666.17 some £7,442.04 lower than in 2019, main savings, Electricity, Caretaking, Cleaning, Book Keeping and Maintenance.

Cash in the Current account dropped to £3,856.30 however the £10,000 grant was transferred to the Contingency Account which stood at £16,113.62.

Debt was the lowest with just £1,288 outstanding most of which will have been paid in January.

The Auditor has suggested that we look at the Insurance cover for Public Liability (£5m) and Fidelity Guarantee (£5k) with a view to increasing such to £10m and £10k accordingly. We have been given an extension of 3 months by our Insurer due to Covid ( now due in June) and therefore have time to assess the financial impact on our Insurance costs.

The Budget for 2021 is not going to be easy to determine and may well be the case we assess as the months go by.

Roy Ince, Trustee/Treasurer. March 2021.